SEBI and Stock Exchange Services

Shantanu Srivastava and Associates provides comprehensive advisory and compliance services related to SEBI regulations and stock exchange requirements. We assist listed companies, intermediaries, and market participants in ensuring compliance with SEBI laws, circulars, and listing obligations.

Our SEBI and Stock Exchange services include advisory, compliance management, disclosures, filings, and representation before regulatory authorities. We help organizations navigate complex regulatory frameworks such as SEBI (LODR) Regulations, ICDR Regulations, PIT Regulations, and other applicable guidelines with accuracy and timeliness.

Our SEBI and Stock Exchange Services Include

We provide structured and proactive compliance solutions to ensure transparency, investor protection, and regulatory adherence in capital market operations.

Ensuring capital market compliance through timely, accurate, and governance-driven SEBI advisory services.

Frequently Asked Questions

Below are some commonly asked questions related to SEBI and stock exchange compliance. Our team offers tailored guidance based on the nature of listing and regulatory applicability.

SEBI regulations are rules issued by the Securities and Exchange Board of India to regulate capital markets, protect investor interests, and promote fair and transparent market practices.

Yes, we assist listed companies in complying with SEBI (Listing Obligations and Disclosure Requirements) Regulations, including periodic filings, disclosures, and governance requirements.

We manage filings, disclosures, and compliances with stock exchanges such as BSE and NSE, ensuring accuracy, timeliness, and adherence to regulatory requirements.

Yes, we provide representation and advisory support before SEBI, stock exchanges, and other regulatory authorities in matters related to compliance, clarifications, and regulatory actions.